Milford Clark strolled into a credit union wearing a two-tone baseball hat and sunglasses, walked out, and got into his blue Ford Crown Victoria. Five days later, a man fitting Clark’s description robbed a bank wearing a two-tone baseball hat and sunglasses and left in a blue Ford Crown Victoria. Authorities interviewed and ultimately arrested Clark for the robbery. Clark wanted to represent himself and the magistrate judge found that Clark waived his right to counsel for proceedings before that court. The district court considered the issue anew on a motion from the government and asked Clark questions about his decision to proceed pro se. Ultimately, Clark decided against self-representation. He was convicted, and now argues on appeal that the district court infringed on his Sixth Amendment right to proceed pro se because it improperly reconsidered an issue already decided by the magistrate judge. We reject this argument because the district court could analyze whether Clark’s waiver was valid since the magistrate judge’s ruling was limited to “this juncture” of the proceedings, namely Clark’s initial appearance. Moreover, the addition of DNA evidence to the government’s case gave the court reason to question whether Clark fully understood the perils of going pro se and the court properly alerted Clark about how that evidence changed the nature of the case. We also find the credit union evidence was properly admitted for a non-propensity purpose, to establish Clark’s identity. Though we are troubled by the government’s introduction of more evidence than necessary to show Clark’s identity, including a video and witness testimony that were used to characterize Clark’s actions as “casing” the credit union, any errors in' introducing more than just a still photo and failing to weigh the probative and prejudicial values of the evidence on the record were harmless since Clark met the physical description of the robber and his DNA was found at the Bank. Therefore we affirm.
I. BACKGROUND
On April 27, 2010, a man robbed the Regions Bank in Indianapolis at gunpoint while wearing a two-tone hat, dark sunglasses, and a bandana covering the lower half'of his face. He threw three plastic grocery bags at the teller and ordered him to fill the bags with money. The teller filled one, which the robber took and fled, leaving the other two behind. The robber was described as a “stockier” Caucasian male, approximately 5' 9" between 40-50 years old. Surveillance video from the drive-thru showed a blue car drive away. Early the next morning, police found a blue Ford Crown Victoria less than half a mile from the Bank. An eyewitness confirmed that it was the same car she had seen around the Bank right before the robbery. Both the car and the plastic bags at the Bank were swabbed for DNA.
Five days earlier, Larry England, visited a Harvesters Credit Union in Indianapolis, asked for a deposit slip, and left without conducting any business. A few minutes later, England’s friend, Clark, got out of his blue Ford Crown Victoria and went into the same Harvesters. Clark, then fifty-six years old, is a Caucasian male who was wearing a T-shirt with sunglasses hanging off it and a two-tone cap. He asked for a deposit slip, was told the Harvesters did not use deposit slips, and left without conducting any business. Finding the acts troubling, Harvesters investigated and reported the incident to the Sheriffs Department.
The similarities between the Harvesters incident and the robbery led the Sheriff to Clark. Clark identified himself on the Harvesters video and it was later deter
In the first pretrial hearing, Clark’s appointed attorney told the magistrate judge that Clark wanted to represent himself. The magistrate judge explained the counts in the indictment, potential sentences, and what happens during a jury trial. The magistrate judge then inquired into Clark’s educational and legal background, his age, personal and criminal history, and cautioned Clark about the perils of proceeding pro se. When Clark insisted that he wanted to represent himself, the magistrate judge found the waiver of counsel valid and granted the motion “at this point, this juncture.” But he also appointed a federal defender as standby counsel so that “at any time ... if you desire ... [he could] take over.”
Before the district court, the government filed a “Motion for Hearing Relating to Self-Representation” noting that it “anticipates offering evidence at trial of DNA comparisons from two different locations.” The government admitted that Clark “engage[d] in a colloquy with the presiding Magistrate Judge” regarding self-representation, but stated “it is vitally important that the Defendant’s decision to forgo counsel be made with all of the appropriate, formal cautions by the trial court of record.” The district court granted the motion. At the hearing, the district court judge inquired anew into much of the same ground the magistrate judge had covered. For the first time, the court also covered DNA evidence, noting it “requires some knowledge of that science” and “that’s tricky evidence unless you’re a scientist who understands DNA, or unless you’ve done substantial study.” Clark responded by saying he was “reconsidering” self-representation, but “I think I’m going to go pro se.” But, he chose to wait until the end of the hearing to decide for sure.
The court next grantfed the government’s pretrial motion and found evidence from the Harvesters incident was admissible non-propensity evidence that went to establish Clark’s identity. The court rejected Clark’s pro se objection to the introduction of the evidence. It then returned to Clark’s self-representation. This time, Clark changed his mind and accepted the appointment of counsel. Clark proceeded to trial, where the Harvesters evidence came in and he was convicted on both counts. This timely appeal follows.
II. ANALYSIS
Clark asserts the district court’s decision to revisit his waiver was an unconstitutional infringement on the initial valid waiver made to the magistrate judge. Clark also argues the Harvesters evidence violated Federal Rule of Evidence 404(b) because it did not go towards establishing identity, was more prejudicial than probative, and the government improperly used it to argue propensity.
A. Clark Was Not Deprived His Sixth Amendment Right to Proceed Pro Se
Clark argues that the district court should have accepted his first waiver of counsel as valid and that his Sixth Amendment right was violated when it revisited the issue. We disagree because the magistrate judge’s determination was limited to the initial proceeding, so the district court properly considered the issue. Moreover, the addition of the DNA evidence raised the possibility that the initial waiver — even if unequivocal — was no longer knowing, and the district court needed to bring that to Clark’s attention.
The seminal case on a defendant’s right to proceed
pro se
is
Faretta v. California,
Clark argues
Faretta
held that a court may not revisit the issue since the Supreme Court said a knowing and intelligent waiver “must be honored out of ‘that respect for the individual which is the lifeblood of the law.’ ”
Faretta,
Further supporting our conclusion that the district court properly delved into the waiver issue is that the nature of the case had changed with the government’s statement that it was anticipating that DNA evidence was going to be introduced. This is not necessarily the type of case with “a substantial change in circumstances [that] will
require
the district court to inquire whether the defendant wishes to revoke his earlier waiver.”
United States v. Fazzini,
However, just because she was not required to revisit the waiver does not mean the district court judge was prohibited from doing so. Clark has not pointed us to, nor could we find, a single case in which the court erred by conducting multiple
Faretta
colloquies. This court has affirmed the use of multiple
Faretta
colloquies in a number of cases.
See, e.g., United States v. England,
In affirming the district court’s actions, we reject Clark’s contention that this DNA inquiry impermissibly took into account his “technical legal knowledge,” which is “not relevant to an assessment of [a defendant’s] knowing exercise of the right to defend himself.”
Faretta,
B. No Abuse of Discretion or Harmful Error In Admission of Harvesters Evidence
Clark also argues the court erred in admitting, without analysis, the Harvesters Credit Union evidence. He contends it was not properly admitted to show his “identity” and the government violated Federal Rule of Evidence 404(b) by using it for improper propensity purposes. However, because the identity of the bank robber was the key determination at issue, the physical similarities between the man shown at Harvesters and the Bank matched up, and any error was harmless, we affirm.
The government argues that Clark waived this argument because he only objected to use of the Harvesters photos, rather than all of the evidence, in his
pro se
pretrial objection. Since courts should liberally construe
pro se
briefs,
Estelle v. Gamble,
Rule 404(b) prohibits the admission of evidence of other crimes, wrongs, or acts for the purpose of proving a person’s character or propensity to behave in a certain way, but permits the use of this evidence for other purposes, including identity.
See id.
at 852. Since the district court’s ruling, we have abandoned our old four-part test of admissibility under Rule 404(b).
Id.
at 852-53. Under our new analysis, “[t]he proponent of the evidence must first establish that the other act is relevant to a specific purpose other than the person’s character or propensity to behave in a certain way ... through a chain of reasoning that does not rely on the forbidden inference that the person has a certain character and acted in accordance with that character on the occasion charged in the case.”
Id.
at 860. If that is done, the court must “assess whether the probative value of the other-act evidence is substantially outweighed by the risk of unfair prejudice,” and this “balancing should take account of the extent to which the non-propensity fact for which
Clark said he did not rob the Bank, and so the government sought to introduce evidence rebutting that contention. The government produced evidence from Harvesters that a stocky Caucasian male, around 5' 10" in his 40s or 50s wearing a two-tone baseball hat and sunglasses walked in and eventually left in a blue Ford Crown Victoria. It also produced evidence from the Bank that a stocky Caucasian male, roughly 5' 9" in his 40s or 50s entered with a two-tone baseball hat and sunglasses and left in a blue Ford Crown Victoria. What makes the evidence especially relevant and probative of identity is Clark’s admission that he was the individual on the Harvesters video. So, knowing that was him, the jury could compare the physical descriptions and images of Clark as he appeared at Harvesters and the man in the Bank and determine whether they matched up. The evidence went towards identity, which is a non-propensity purpose, and was established through a non-propensity chain of reasoning.
See, e.g., United States v. Robinson,
However, we have concerns about the prejudicial effect of some of the evidence. If it was only being admitted for identity purposes and to compare the man at Harvesters with the man at the Bank, there was no need to admit any evidence other than the picture of Clark at Harvesters. The jury would not even have known that the picture was taken at a credit union since there was nothing in the picture that would have allowed the jurors to identify the generic looking lobby as part of a financial institution. The video, on the other hand, showed the actions the government later termed as “casing,” namely Clark looking around the room before leaving. Moreover, there was no reason under the government’s rationale to have any employee testify that they thought Clark was “casing” Harvesters or even to describe his actions once inside. None of that was relevant to identity. A witness could have laid the foundation for the picture of Clark inside and images of the car outside without getting into the thorny and problematic testimony about what Clark did inside Harvesters. There was a risk of prejudice by introducing the witness testimony and videos since the jury could have taken it as propensity evidence, namely that Clark was considering robbing Harvesters before subsequently robbing the Bank, and therefore had a propensity to rob financial institutions. As Clark points out, even if the evidence was properly admitted in the first instance, the government took advantage of this overkill by arguing that Clark’s visit to Harvesters amounted ’ to “suspicious behavior,” and Harvesters employees thought he was “casing” to see if it “might be a good credit union for a bank robbery.”
See United States v. Richards,
Even though this is problematic, Clark put his identity at issue by taking the stand and testifying that he did not rob the Bank,
see Gomez,
Clark also correctly asserts that the district court did not adequately spell out its reasons for admitting the Rule 404(b) evidence. The district court told Clark that the government has “narrowed the purposes of the evidence that [it] intend[s] to present to basically prove identity.... [Apparently [it has] witnesses who can put you there, and other evidence, that at that time you were wearing a distinctive baseball cap, and were seen in [the Victoria] by credit union employees.” The court understood the non-propensity purpose for which the evidence was being admitted and its relevance. However, it did not explicitly weigh the probative and prejudicial values on the record. Had the district court explicitly balancedThe prejudicial effects and probative value on the record, as we have done here, it might have had the same concerns we have expressed and concluded that The volume of identifying evidence was unnecessary and overly prejudicial. But it did not, which was an error. So now we ask whether the error was harmless.
See United States v. Miller,
III. CONCLUSION
For these reasons, we Affirm the judgment of the district court.
Notes
. The judge told the jury: “You have heard evidence of wrongful acts of the -defendant other than those charged in the indictment. You may consider this evidence only on issues of opportunity, preparation, plan, knowledge, or identity. You must consider this evidence only for these limited purposes.”
